OVAL Corporation

TSE:7727.T

373 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) JPY.

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,392.983,191.4163,458.4573,780.5582,518.6662,771.7492,870.8742,897.233,602.0323,021.8452,715.8672,506.7912,300.6362,144.7321,662.3641,528.3141,215.399
Kortetermijnbeleggingen 195.114-126.625-70.386-67.28428.762-62.245-15.933-16.93-9.771-49.211-11.988-10.917-8.502-10.839100-89.279-44.572
Liquide middelen en kortetermijnbeleggingen 3,392.983,191.4163,458.4573,780.5582,547.4282,771.7492,870.8742,897.233,602.0323,021.8452,715.8672,506.7912,300.6362,144.7321,762.3641,528.3141,215.399
Nettovorderingen 5,006.8463,808.4693,410.4273,353.7383,801.3824,911.2375,008.8285,690.4436,126.516,247.2035,290.7455,133.325,650.3194,695.9733,972.1014,760.5144,412.239
Voorraad 3,929.4813,276.6842,879.8712,456.4542,659.492,622.5472,202.2431,869.6681,882.1071,890.7871,763.1161,746.4871,977.4591,836.9781,716.1021,728.3341,796.997
Overige vlottende activa 305.5661,258.397997.8421,474.7111,084.893178.457192.485157.65354.794176.569198.972197.699192.681288.19174.013470.409505.836
Totaal vlottende activa 12,634.87311,534.96610,746.59711,065.46110,093.19310,483.9910,274.4310,614.99111,965.44311,336.4049,968.79,584.29710,121.0958,965.8737,624.588,487.5717,930.471
Niet-vlottende activa:
Materiële vaste activa, netto 8,754.3838,725.5458,834.8928,864.4718,339.5448,400.8258,447.6787,778.6377,617.4697,557.5027,542.6177,365.3937,419.0577,478.6027,563.9987,660.4027,816.851
Goodwill 300.679360.815420.951481.087541.223000000000000
Immateriële activa 173.683245.87301.151337.364374.474397.228397.333397.379164.149125.3151.482155.56800000
Goodwill en immateriële activa 474.362606.685722.102818.451915.697397.228397.333397.379164.149125.3151.482155.56883.34182.07470.03439.29956.396
Langetermijnbeleggingen 1,086.8011,1941,1031,1011,2131,3611,282.9531,675.6421,553.9131,794.141,724.9681,515.157466.989383.753359.794377.022420.372
Belastingvorderingen 243.846299.314267.657274.506338.02488.33556.65845.30527.84515.70514.39313.45710.71511.58911.80912.92112.139
Overige niet-vlottende activa 257.0244.79111.6917.2391012.79167.44880.20876.76106.245102.06104.0541,075.4521,179.0331,273.8851,046.3951,153.413
Totaal niet-vlottende activa 10,816.41610,830.33510,939.34211,065.66710,816.26510,260.17910,252.079,977.1719,440.1369,598.8929,535.529,153.6299,055.5549,135.0519,279.529,136.0399,459.171
Totaal activa 23,451.28922,365.30521,685.94322,131.13120,909.46120,744.17320,526.50320,592.16521,405.58220,935.29819,504.22218,737.9319,176.64918,100.92416,904.117,623.6117,389.642
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 755.389751.988658.312575.43781.856949.527883.1591,140.8691,725.6561,867.9351,241.7871,061.2841,647.875904.862749.791,196.2251,843.304
Kortlopende schulden 1,343.4861,449.4191,337.2312,802.7071,362.5771,183.2711,358.3841,263.831,510.051,500.0641,320.1131,300.1931,275.421,174.0961,024.9461,025.121531.733
Belastingschulden 242.719268.028187.37518.69535.495206.97943.41658.905207.801107.72190.45574.19162.193265.66861.85635.652310.804
Uitgestelde opbrengsten 179.0871,039.974865.732532.574520.154668.642476.139541.1511.897415.686326.877330.459322.918524.425189.414305.423669.333
Overige kortlopende verplichtingen 2,037.608752.045914.808938.308933.961,121.857868.962842.353914.543711.66603.526831.5061,106.6291,035.29694.0941,112.576478.011
Totaal kortlopende verplichtingen 4,315.573,993.4263,776.0834,849.0193,598.5473,923.2973,586.6443,788.1524,662.1464,495.3453,492.3033,523.4424,352.8423,638.6732,658.2443,639.3453,522.381
Langlopende verplichtingen:
Langetermijnschulden 507.266752.911,154.3631,008.3611,037.287583.99720.303738.886797.85505.535523.434487.752536.608608.468560.275486.755270.923
Uitgestelde opbrengsten niet-vlottend -1,496.8171,760.9591,667.0971,600.5811,516.7161,425.2741,428.8881,411.0461,356.0161,133.6771,657.5121,422.4131,373.6111,305.0961,251.6111,269.0961,344.673
Uitgestelde belastingverplichtingen niet-vlottend 1,513.71,517.5961,513.71,514.0071,513.71,517.0211,711.2791,745.8241,731.0271,885.8052,052.1261,971.4111,960.8262,149.4532,164.632,149.1422,176.541
Overige niet-vlottende verplichtingen 3,247.06357.96760.26974.9592.529108.93569.18119.83819.9653.2111.0783.4473.4665.8297.3939.67512.195
Totaal niet-vlottende verplichtingen 3,771.2124,089.4324,395.4294,197.8994,160.2323,635.223,929.6513,915.5943,904.8583,528.2284,234.153,885.0233,874.5114,068.8463,983.9093,914.6683,804.332
Totaal passiva 8,086.7828,082.8588,171.5129,046.9187,758.7797,558.5177,516.2957,703.7468,567.0048,023.5737,726.4537,408.4658,227.3537,707.5196,642.1537,554.0137,326.713
Eigen vermogen:
Preferente aandelen 1,186.9310000000000000000
Gewone aandelen 2,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,2002,200
Ingehouden winsten 6,790.475,957.1545,464.7965,313.1795,418.6635,293.0214,977.1214,988.634,856.764,649.4733,956.5813,900.4293,786.163,570.7033,353.1763,442.7063,237.499
Overige gereserveerde algehele resultaten 800.593,973.8843,747.0373,491.7433,453.5313,603.2573,697.8553,581.2273,629.6073,8973,5093,23200000
Overige totale aandeelhoudersvermogen 3,934.1191,734.121,734.1421,734.1421,719.3191,719.3431,722.0271,722.0571,722.0571,722.1771,722.1561,722.3944,764.5954,486.8754,617.934,372.0244,572.693
Totaal eigen vermogen van aandeelhouders 14,912.1113,865.15813,145.97512,739.06412,791.51312,815.62112,597.00312,491.91412,408.42412,468.6511,387.73711,054.82310,750.75510,257.57810,171.10610,014.7310,010.192
Totaal eigen vermogen 15,364.50214,282.44713,514.43113,084.21313,150.68213,185.65613,010.20812,888.41912,838.57812,911.72511,777.76911,329.46510,949.29610,393.40510,261.94710,069.59710,062.929
Totaal passiva en aandeelhoudersvermogen 23,451.28922,365.30521,685.94322,131.13120,909.46120,744.17320,526.50320,592.16521,405.58220,935.29819,504.22218,737.9319,176.64918,100.92416,904.117,623.6117,389.642